Location: Singapore CBD
Employment Type: Permanent, Full-time
Job Summary
An established international bank is seeking an Investment Banking Analyst / Associate to join its Debt Capital Markets (DCM) team in Singapore.
This role provides exposure to cross-border bond origination and execution across Financial Institutions (FI), Sovereigns, SOEs, and Corporate clients in the USD, SGD, CNH, and Panda Bond markets.
The successful candidate will support deal origination, transaction execution, market analysis, and client coverage activities within a dynamic investment banking environment.
Key Responsibilities
Debt Capital Markets Origination & Execution
- . Prepare pitchbooks, market updates, pricing analysis, and transaction materials for Financial Institution, Sovereign, SOE, and Corporate clients
- . Support bond origination and execution activities across USD, SGD, CNH, and Panda Bond markets
- . Coordinate with regional teams and overseas offices to respond to RFPs, market updates, and client requests
- . Support senior bankers in client pitching and investment banking presentations
- . Prepare internal committee papers, issuer credit applications, KYC documentation, and transaction approval materials
- . Support end-to-end debt capital markets transaction execution, including due diligence, legal documentation review, syndication, and book-building processes
- . Monitor macroeconomic developments, fixed income markets, bond issuance trends, and issuer credit developments to identify business opportunities
- . Maintain awareness of regional capital markets developments and investor sentiment
Additional Responsibilities
- . Support transaction execution and regional market expansion initiatives
- . Liaise with issuers, investors, legal counsel, and internal stakeholders to facilitate smooth execution processes
- . Ensure compliance with MAS regulations and internal compliance policies
- . Prepare management reports and support ad-hoc investment banking projects as required
Requirements
- . Bachelor's or Master's Degree in Finance, Accounting, Economics, or related discipline
- . Minimum 3 years of relevant experience in Debt Capital Markets, Investment Banking, Fixed Income, Corporate Finance, or Capital Markets
- . Strong understanding of bond markets, debt capital markets products, and transaction execution processes
- . Proficiency in Bloomberg Terminal, Microsoft Excel, PowerPoint, and Word
- . Strong analytical, presentation, and communication skills
- . Professional proficiency in English and Mandarin to liaise with Mandarin-speaking stakeholders and regional teams
Preferred Qualifications
- . CMFAS Module 1B and Module 4A / 4B certifications preferred
- . Prior exposure to bond syndication, fixed income products, or cross-border capital markets transactions will be advantageous